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BNP PARIBAS EASY II MSCI Emerging Markets ex-China PAB UCITS ETF USD Dist

WKN A40YRW | ISIN IE000G5IRVY3 |  ETF
Factsheet
09.06.26 13:45:03 RT
Bid: 15,18 EUR  |  Ask: 15,23 EUR

Aktuelle Entwicklung

Basisinformationen

Eröffnung 14,57
Schluss 08.06.26 14,31
Tagestief 14,34
Tageshoch 15,19
Vol. (EUR) -
Vol. Stk. -
Preisfeststellung 732

ETF-Profil

Fondstyp Alternative Investm.
Branche ETF Aktien
Ursprungsland Irland
KESt-Meldefonds Ja
Auflagedatum 13.02.2025
Fondsvolumen 27,30 Mio. EUR
UCITS Ja
Sparplan Nein

Performance

Zeitraum BEII MEMEXCPAB D
1 Monat +4,93 %
1 Jahr +63,59 %
3 Jahre p.a. -
5 Jahre p.a. -
52W Hoch (-):
-
52W Tief (-):
-

Handelsplätze

Name Aktuell Zeit Vol. Stk.
Xetra ETF 15,20 EUR 13:13 3,80 Tsd.
TradeGate BSX 15,11 EUR 09:28 2,00 Tsd.
gettex 15,16 EUR 13:17 200
Düsseldorf 15,17 EUR 09:12 0
Frankfurt 14,18 EUR 08:06 0

Letzte Umsätze

Zeit Vol. Stk. Kurs
13:46:44 - 15,19
13:45:03 - 15,18
13:44:21 - 15,19
13:44:21 - 15,18
13:41:23 - 15,18

Größte Positionen

Taiwan Semiconductor Manufa... 20,11 %
Samsung Electronics Co Ltd 6,21 %
SK Hynix Inc 4,11 %
Delta Electronics Inc 3,37 %
Sonstiges 66,20 %

ETF Prospekte

2026 Basisinformationsblatt (19.02.26)

ETF Strategie

To seek to provide investors with the performance of the MSCI EM ex China Climate Paris Aligned PAB Index (the Index), less the fees and expenses of the fund, while aiming to minimise the tracking error in between the fund's Net Asset Value and the Index. The fund is passively managed and will apply a physical replication. The fund will seek to achieve its investment objective by investing in large and mid-capitalisation equity securities listed or traded in emerging markets (as defined by the Index Provider), excluding China, that as far as possible and practicable consist of the constituent securities of the Index. The fund may also hold warrants, as a result of corporate actions only, and rights which may not be part of the Index. The fund intends to replicate the constituents of the Index by holding as far as possible and practicable the securities comprising the Index in generally the same proportions as they are held in the Index. The fund's holding proportions may not correspond to the exact holding proportions of the Index at any time. In order to replicate the Index, this fund may invest up to 20% of its Net Asset Value in shares issued by the same body. This limit may be raised to 35% for a single issuer in exceptional market conditions (i.e. where an issuer represents an unusually large portion of the market represented by the Index). The equity securities in which the fund invests will be listed or traded on a Regulated Market. The fund may continue to hold securities which cease to be constituent securities of the Index until such time it is possible and practicable in the Investment Manager's view to liquidate the position in the best interest of Shareholders. MSCI's website (www.msci.com) contains more detailed information about the MSCI Indexes.
Fondsmanager: Charles LEWANDOWSKI, Alain LE STIR

Notizen

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